马克思金融危机理论的逻辑结构探析  

An Analysis of Logical Structure of Marx's Financial Crisis Theory

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作  者:周少帅 ZHOU Shaoshuai(Unit 32296 of PLA,Shenyang 110112,China)

机构地区:[1]中国人民解放军32296部队

出  处:《合肥工业大学学报(社会科学版)》2018年第6期20-28,共9页Journal of Hefei University of Technology(Social Sciences)

摘  要:在马克思政治经济学体系中,按照从抽象到具体的研究方法,金融危机理论的逻辑结构可以区分为三个层次:抽象可能性、现实可能性和现实必然性。这三个层次之间具有层层递进的逻辑关系,其中,危机的抽象可能性是简单商品经济条件下的必然产物,危机的现实可能性是发达商品经济(市场经济)条件下的必然产物,危机的现实必然性触发于特定的社会制度因素,进而系统性地构建了一个关于金融危机理论的综合分析框架。In Marx's political economy system,the logical structure of financial crisis theory can be divided into three levels including abstract possibility,realistic possibility and realistic inevitability according to the research methods that are from abstract to concrete.There are logical relationships between these three levels.Among them,the abstract possibility of crisis is an inevitable result under the conditions of simple commodity economy,the realistic possibility of crisis is an inevitable result under the conditions of developed commodity economy(market economy),and the realistic inevitability of crisis is triggered by specific social institutional factors.And then a comprehensive analytical framework of the theory of financial crisis is systematically constructed.

关 键 词:马克思金融危机理论 商品经济 生产相对过剩 

分 类 号:F091.91[经济管理—政治经济学]

 

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